Reconciliations

Revenue at constant currency rates1

Revenue at constant currency rates

kEUR

H1 2026

H1 2025

 

 

 

Revenue at constant currency rates 1

240,098

166,511

Impact from changes in exchange rates compared to prior period

-3,470

585

Revenue reported (IFRS)

236,628

167,096

1 Revenue translated into the presentation currency, EUR, using the weighted average EUR currency exchange rate from the prior period.

Change in revenue

Change in revenue

 

H1 2026 vs H1 2025

H1 2025 vs H1 2024

 

 

 

Change in revenue reported (IFRS) (%)

41.6%

23.7%

Change in revenue at constant currency rates (%) 1

43.7%

23.3%

1 The change is calculated as: (Current period's revenue at constant currencies) / (Prior period's revenue reported (IFRS)) - 1.

Revenue by business area, excl. coronavirus pandemic (H1 2026 vs H1 2025 and H1 2021)

Revenue by business area, excl. coronavirus pandemic (H1 2026 vs H1 2025 and H1 2021)

kEUR

H1 2026

H1 2025

H1 2021

 

 

 

 

Commercial revenue

147,012

108,249

58,929

Development revenue, excl. revenue associated with the coronavirus pandemic

89,616

58,847

43,988

Revenue associated with the coronavirus pandemic

32,219

Revenue reported (IFRS)

236,628

167,096

135,136

Revenue by therapeutic area, excl. coronavirus pandemic (H1 2026 vs H1 2025 and H1 2021)

Revenue by therapeutic area, excl. coronavirus pandemic (H1 2026 vs H1 2025 and H1 2021)

kEUR

H1 2026

H1 2025

H1 2021

 

 

 

 

Metabolic

161,740

93,651

35,647

Oncologic

12,266

22,452

15,483

Other, excl. revenue associated with the coronavirus pandemic

62,622

50,993

51,787

Revenue associated with the coronavirus pandemic

32,219

Revenue reported (IFRS)

236,628

167,096

135,136

Operating result to EBITDA

Operating result to EBITDA

kEUR

H1 2026

H1 2025

 

 

 

Operating result (EBIT)

21,979

-13,723

Depreciation, amortization and impairment charges (if any)

27,112

18,157

EBITDA

49,091

4,434

Return on net operating assets (RONOA)1

Return on net operating assets (RONOA)

kEUR

H1 2026

H1 2025

 

 

 

Operating result (EBIT)

21,979

-8,516

Average 1 Net operating assets:

 

 

Total non-current assets (average)

482,836

412,785

Total current assets (average)

334,084

306,234

Cash and cash equivalents (average)

-67,863

-62,585

Total current liabilities (average)

-204,508

-190,265

Average 1 Net operating assets

544,549

466,169

Return on net operating assets (RONOA)

4.0%

-1.8%

1 The average amounts are calculated as: (Current period's figures + prior period's figures) / 2.

Free Cash Flow

Free Cash Flow

kEUR

H1 2026

H1 2025

 

 

 

Net cash flows from operating activities

25,219

49,656

Acquisition of intangible assets

-603

-457

Acquisition of property, plant and equipment

-43,718

-48,683

Free Cash Flow

-19,102

516

Net Cash

Net Cash

kEUR

As at 30 June 2026

As at 31 December 2025

 

 

 

Cash and cash equivalents

59,031

74,589

Interest-bearing liabilities (Total financial debt):

 

 

Interest-bearing loans and borrowings (Non-current)

-98,841

-109,034

Lease liabilities (Non-current)

-15,106

-15,979

Other financial liabilities (Non-current)

-8,799

-9,435

Interest-bearing loans and borrowings (Current)

-20,700

-544

Lease liabilities (Current)

-4,435

-5,008

Other financial liabilities (Current)

-1,328

-1,361

Interest-bearing liabilities (Total financial debt)

-149,209

-141,361

Net Cash / (debt)

-90,178

-66,772

Capital expenditures (Capex)

Capital expenditures (Capex)

kEUR

H1 2026

H1 2025

 

 

 

Property, plant and equipment assets capitalized

40,483

45,631

Intangible assets capitalized

835

477

Capital expenditures (Capex)

41,318

46,108